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BCV STRATEGIC FUND - BCV Mixed (EUR)

Value No : 4797821
ISIN No : LU0398846310
Ticker Bloomberg : AMCMIXE LX

Fund’s investment objective

BCV Mixed (EUR) is one of the sub-funds in BCV STRATEGIC FUND, a Luxembourg-incorporated umbrella investment fund. It reflects BCV’s investment policy, founded on an internationally-geared asset and currency allocation strategy aimed at achieving an optimal risk/reward trade-off. The sub-fund comprises equal weightings of bonds and other interest-bearing securities (45%) and equities (45%). Its prime objective is to achieve long-term capital growth, with generating income being a complementary aim.

Fund facts
Fund’s domicile : Luxemburg
Portfolio Manager : Gérifonds (Luxembourg) SA
Launch date : 13 June 2005
Launch price : EUR 100.00
Close of financial year : 31 December
Management
fee :
1.10%
TER to 30.06.2011: 1.53%
Affidavit eligibility : No Distribution
Benchmark :
Investment area : World
EU withholding tax on CH distribution : OUT
EU withholding tax on CH redemption : OUT
TIS CH : 0.5154
TIS EU : 0.5154
Frequency of NAV calculations : The price of this fund is calculated once a week, each Thursday; if a Thursday falls on a bank holiday in Luxemburg, the NAV is calculated on the following bank working day.
Cut off : Tuesday 2 pm
Net asset value on  07.02.2012: EUR 107.38
YTD performance on  07.02.2012: 3.76 %
Fund’s assets on  07.02.2012 : EUR 58'411'910.66
Year-high NAV  2012 : EUR 107.38
Year-low NAV  2012 : EUR 104.55